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Juniper Square

Finance Engineer

USA (Remote)$190k–$240kfulltimemidAdded today

About this role

Design and build automation systems across Juniper Square's financial operations, including contract-to-cash, billing, close processes, and payables. Own NetSuite OneWorld configuration and workflows while partnering with cross-functional teams to redesign processes and ship production-ready solutions.

What you'll do

  • Map and automate the end-to-end contract-to-cash workflow across Salesforce CPQ, Deal Desk, NetSuite, and Zone Advanced Billing
  • Own NetSuite OneWorld environment including configuration, workflows, roles, and permissions
  • Redesign and build automation for monthly close, reconciliations, revenue recognition, and reporting
  • Partner with Accounting, Finance, Deal Desk, and Legal to implement process improvements and eliminate manual work
  • Drive procure-to-pay automation including vendor onboarding, invoice matching, and spend categorization
  • Build controls and reporting to ensure revenue, billing, and accounts receivable data integrity

What they're looking for

  • NetSuite administration and workflow design
  • Financial process automation and optimization
  • Salesforce integration and CPQ knowledge
  • SQL or scripting for data transformation
  • Order-to-cash and procure-to-pay processes
  • API integration and system connectivity
  • Revenue recognition and accounting principles
  • Project management and cross-functional collaboration

Benefits

  • Hybrid work flexibility across 27 U.S. states and international offices
  • Digital-first culture supporting remote and office collaboration
  • Opportunity to work on mission-critical financial systems at scale
  • Cross-functional exposure across Finance, Revenue, Legal, and Procurement teams
  • Work with modern financial software stack including NetSuite, Salesforce, and emerging tools
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Juniper Square

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Likely interview questions

  • Walk us through a complex financial process you've automated—what was broken, how did you diagnose the root issue, and what was your approach to building the solution?
  • Describe your experience configuring NetSuite workflows and permissions. How have you handled situations where process requirements conflicted with system constraints?